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October 17, 2025
XAU/USD Break-and-Retest: Complete Playbook (2025)
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View yearly options →Telegram Gold Signals Risk Management: TP1 / TP2 / Runner (2025)
Updated: 17 October 2025 • Author: Dani Diemzy • Category: Gold Signals
Capture the “meat” to TP1/TP2, let a runner ride strong trends.
Strict SL, breakeven at TP1 or +1R, daily loss cap.
Contents
1) The TP1/TP2/Runner Framework
2) Sizing: Fixed Fractional Risk
3) Partial Take-Profits & Breakeven Rules
4) Session-Aware Volatility (Asia • London • NY)
5) Drawdown Controls (Daily/Weekly)
6) Worked Examples
7) Checklist
FAQ
Start Free • Official Links
1) The TP1/TP2/Runner Framework
For gold’s fast volatility, a structured scaling model balances payout and protection:
- TP1: secure a quick partial to pay risk.
- TP2: exit more size at “objective” target.
- Runner: a small remainder for trend extension.
“Protect early, participate late.” — The TP/Runner mindset for XAU/USD.
2) Sizing: Fixed Fractional Risk
Risk a constant fraction of equity per trade (e.g., 0.25%–1.0%). Keep lot size proportional to stop size:
- Lot Size ≈ (Account Risk in $) / (Stop Size in $ per lot)
- For tighter stops → smaller $/pip → bigger lots within same risk.
- For wider stops → larger $/pip → smaller lots to keep risk constant.
Tip: pre-compute common lot sizes for 50/100/150 pips SL on XAU/USD.
3) Partial Take-Profits & Breakeven Rules
Popular split models:
| Split | TP1 | TP2 | Runner | Breakeven |
|---|---|---|---|---|
| 50 / 30 / 20 | +1.0R | +2.0R | trail | at TP1 |
| 40 / 40 / 20 | +0.8–1.0R | +1.6–2.0R | trail | at +0.8R |
| 60 / 30 / 10 | +0.7–0.9R | +1.5–1.8R | trail | early BE on high vol |
- Stop to BE: move SL to entry at TP1 (or +1R).
- Runner trail: last swing or ATR-based (e.g., 1.5× ATR(14)).
- News filter: flatten runner pre-high-impact if not in profit.
4) Session-Aware Volatility
- Asia: narrower ranges; favor conservative TP1; avoid oversized runners.
- London: expansion; TP1 hits fast; be ready to lock BE quickly.
- New York: news-heavy whips; prefer secure TP1 and hedge runner with tighter trail.
Adapt TP distances to current ATR and session regime.
5) Drawdown Controls
- Max risk/day: 1–2R (e.g., two 0.5–1.0R losses → stop trading day).
- Max risk/week: 4–6R; if hit → downsize next week by 50%.
- News guardrails: avoid fresh entries within 5–10 minutes pre/post Tier-1 data unless strategy allows.
Rule of three: after 3 consecutive losses, pause and review conditions before next trade.
6) Worked Examples
Example A (Buy) — SL 100 pts, risk 0.5% equity:
- TP1 at +1R (100 pts): close 50%, move SL to BE.
- TP2 at +2R (200 pts): close 30%.
- Runner 20%: trail by last swing/ATR; exit on reversal.
Example B (Sell) — Wide SL 150 pts, risk 0.5%:
- TP1 at +0.8R (120 pts) in NY chop; quick BE to survive spikes.
- TP2 at +1.6R (240 pts); runner 20% with tight trail into news.
7) TP/Runner Checklist
- Pre-plan TP1/TP2 distances as multiples of R (not pips only).
- Automate BE & partials where possible (broker OCO/algos).
- Respect daily/weekly loss caps; no revenge trading.
- Journal: R-distribution, % of trades reaching TP1, and runner ROI.
FAQ
Is 0.5% risk per trade enough for gold?
Yes for many traders; XAU/USD is volatile. Adjust between 0.25%–1.0% based on ATR and your risk tolerance.
Should I always trail the runner?
Yes, using structure or ATR. The runner exists to capture tails — trailing avoids full give-back.
Where should TP1 sit?
Common levels: +0.8R to +1.0R depending on session and volatility.
Start Free — Then Scale with Confidence
Watch TP1/TP2/Runner logic live with our XAU/USD alerts. Use coupon salenow15% for 15% off VIP.
Risk warning: Trading involves substantial risk. Test first on demo; never risk funds you cannot afford to lose.
Explore More
Gestión del Riesgo en Señales de Oro: TP1 / TP2 / Runner (2025)
Actualizado: 17 de octubre de 2025 • Autor: Dani Diemzy
1) Marco TP1/TP2/Runner
Para la volatilidad del oro, un modelo de escalado estructurado equilibra pago y protección:
- TP1: cobrar parcial rápido para cubrir riesgo.
- TP2: salir de más tamaño en objetivo “objetivo”.
- Runner: pequeña posición para capturar la extensión de tendencia.
2) Tamaño: Riesgo fraccional fijo
Arriesga una fracción constante (p. ej., 0,25%–1,0%). Lote ≈ (Riesgo $) / (SL $ por lote).
3) Parciales & Breakeven
| Split | TP1 | TP2 | Runner | BE |
|---|---|---|---|---|
| 50/30/20 | +1.0R | +2.0R | trail | en TP1 |
| 40/40/20 | +0.8–1.0R | +1.6–2.0R | trail | +0.8R |
| 60/30/10 | +0.7–0.9R | +1.5–1.8R | trail | temprano en alta vol |
4) Volatilidad por sesión
- Asia: rangos estrechos; TP1 conservador.
- Londres: expansión; mover a BE rápido.
- NY: noticias; asegurar TP1 y trail más ajustado.
5) Control de drawdown
- Máx/día: 1–2R.
- Máx/semana: 4–6R; si se alcanza, reducir tamaño.
- Evitar entradas cerca de noticias tier-1.
Ejemplos
Ejemplo A: SL 100 pts, riesgo 0,5% → TP1 +1R (50%), BE; TP2 +2R (30%), runner 20% con trail.
Checklist
- Planificar TP como múltiplos de R.
- Automatizar parciales/BE si es posible.
- Respetar límites diarios/semanales.
- Registrar % que llega a TP1 y ROI del runner.
Risikomanagement für Gold-Signale: TP1 / TP2 / Runner (2025)
Aktualisiert: 17. Oktober 2025 • Autor: Dani Diemzy
1) TP1/TP2/Runner-Framework
- TP1: frühes Teil-Profit, Risiko bezahlt.
- TP2: weiterer Ausstieg am Ziel.
- Runner: kleiner Rest für Trendfortsetzung.
2) Positionsgröße: Fixer Bruchteil
0,25–1,0% pro Trade; Lot ≈ (Kontorisiko €) / (SL € pro Lot).
3) Teilgewinne & Breakeven
| Split | TP1 | TP2 | Runner | BE |
|---|---|---|---|---|
| 50/30/20 | +1.0R | +2.0R | trail | bei TP1 |
| 40/40/20 | +0.8–1.0R | +1.6–2.0R | trail | bei +0.8R |
| 60/30/10 | +0.7–0.9R | +1.5–1.8R | trail | früh bei hoher Vol |
4) Sitzungs-Volatilität
- Asien: enger; konservatives TP1.
- London: Expansion; BE schnell.
- New York: News-Whips; TP1 sichern, enger Trail.
5) Drawdown-Kontrollen
- max/Tag: 1–2R; max/Woche: 4–6R.
- Nach 3 Verlusten: Pause, Review.
Gestion du risque des signaux Or : TP1 / TP2 / Runner (2025)
Mise à jour : 17 octobre 2025 • Auteur : Dani Diemzy
1) Cadre TP1/TP2/Runner
- TP1 : prise partielle rapide pour payer le risque.
- TP2 : sortie supplémentaire à l’objectif.
- Runner : petit reliquat pour l’extension de tendance.
2) Dimensionnement : risque fractionnel fixe
0,25–1,0 % par trade ; Lot ≈ (Risque €) / (SL € par lot).
3) Partiels & Breakeven
| Split | TP1 | TP2 | Runner | BE |
|---|---|---|---|---|
| 50/30/20 | +1.0R | +2.0R | trail | à TP1 |
| 40/40/20 | +0.8–1.0R | +1.6–2.0R | trail | à +0.8R |
| 60/30/10 | +0.7–0.9R | +1.5–1.8R | trail | tôt si vol élevée |
4) Volatilité par session
- Asie : ranges serrés, TP1 conservateur.
- Londres : expansion, BE rapide.
- New York : whips de news, trail plus serré.
5) Contrôles de DD
- max/jour : 1–2R ; max/semaine : 4–6R.
- Après 3 pertes : pause, revue.
Risk Management per Segnali Oro: TP1 / TP2 / Runner (2025)
Aggiornato: 17 ottobre 2025 • Autore: Dani Diemzy
1) Framework TP1/TP2/Runner
- TP1: parziale rapido per coprire il rischio.
- TP2: uscita aggiuntiva al target.
- Runner: piccola quota per l’estensione del trend.
2) Size: rischio frazionale fisso
0,25–1,0% per trade; Lotto ≈ (Rischio €) / (SL € per lotto).
3) Parziali & Breakeven
| Split | TP1 | TP2 | Runner | BE |
|---|---|---|---|---|
| 50/30/20 | +1.0R | +2.0R | trail | a TP1 |
| 40/40/20 | +0.8–1.0R | +1.6–2.0R | trail | +0.8R |
| 60/30/10 | +0.7–0.9R | +1.5–1.8R | trail | presto se alta vol |
4) Volatilità per sessione
- Asia: range stretti, TP1 conservativo.
- Londra: espansione, BE rapido.
- New York: notizie, trail più stretto.
5) Controlli di drawdown
- max/giorno: 1–2R; max/settimana: 4–6R.
- Dopo 3 perdite: pausa & review.
Gestão de Risco em Sinais de Ouro: TP1 / TP2 / Runner (2025)
Atualizado: 17 de outubro de 2025 • Autor: Dani Diemzy
1) Framework TP1/TP2/Runner
- TP1: parcial rápido para pagar o risco.
- TP2: saída extra no alvo.
- Runner: pequena parte para extensão de tendência.
2) Tamanho: risco fracionário fixo
0,25–1,0% por trade; Lote ≈ (Risco $) / (SL $ por lote).
3) Parciais & Breakeven
| Split | TP1 | TP2 | Runner | BE |
|---|---|---|---|---|
| 50/30/20 | +1.0R | +2.0R | trail | no TP1 |
| 40/40/20 | +0.8–1.0R | +1.6–2.0R | trail | +0.8R |
| 60/30/10 | +0.7–0.9R | +1.5–1.8R | trail | cedo se alta vol |
4) Volatilidade por sessão
- Ásia: faixas estreitas; TP1 conservador.
- Londres: expansão; BE rápido.
- Nova York: notícias; trail mais apertado.
5) Controles de DD
- máx/dia: 1–2R; máx/semana: 4–6R.
- 3 perdas seguidas: pausar e revisar.
إدارة مخاطر إشارات الذهب: TP1 / TP2 / Runner (2025)
تحديث: 17 أكتوبر 2025 • الكاتب: داني ديِمزي
1) إطار TP1/TP2/Runner
- TP1: جني جزئي سريع لتغطية المخاطرة.
- TP2: خروج إضافي عند الهدف.
- Runner: جزء صغير لالتقاط امتداد الاتجاه.
2) حجم الصفقة: مخاطرة جزئية ثابتة
0.25–1.0% لكل صفقة؛ الحجم ≈ (المخاطرة $) ÷ (قيمة SL $ لكل لوت).
3) الجزئيات ونقطة التعادل
| التقسيم | TP1 | TP2 | Runner | BE |
|---|---|---|---|---|
| 50/30/20 | +1.0R | +2.0R | trail | عند TP1 |
| 40/40/20 | +0.8–1.0R | +1.6–2.0R | trail | +0.8R |
| 60/30/10 | +0.7–0.9R | +1.5–1.8R | trail | مبكراً مع تذبذب عالٍ |
4) التذبذب حسب الجلسة
- آسيا: نطاقات ضيقة؛ TP1 محافظ.
- لندن: توسع؛ نقل SL إلى BE سريعاً.
- نيويورك: أخبار؛ trail مشدود.
5) ضوابط التراجع
- حد يومي: 1–2R؛ أسبوعي: 4–6R.
- بعد 3 خسائر متتالية: توقف ومراجعة.
Управление рисками в сигналах по золоту: TP1 / TP2 / Runner (2025)
Обновлено: 17 октября 2025 • Автор: Дани Дьемзи
1) Каркас TP1/TP2/Runner
- TP1: ранняя частичная фиксация — оплата риска.
- TP2: дополнительный выход на цели.
- Runner: небольшой остаток для продолжения тренда.
2) Размер позиции: фиксированная доля
0,25–1,0% на сделку; Лот ≈ (Риск $) / (SL $ на лот).
3) Частичное закрытие и BE
| Сплит | TP1 | TP2 | Runner | BE |
|---|---|---|---|---|
| 50/30/20 | +1.0R | +2.0R | trail | на TP1 |
| 40/40/20 | +0.8–1.0R | +1.6–2.0R | trail | на +0.8R |
| 60/30/10 | +0.7–0.9R | +1.5–1.8R | trail | раньше при высокой вол |
4) Волатильность по сессиям
- Азия: узкие диапазоны; консервативный TP1.
- Лондон: расширение; быстрый BE.
- Нью-Йорк: новости; более тесный трейлинг.
5) Контроль просадки
- макс/день: 1–2R; макс/неделя: 4–6R.
- После 3 убыточных сделок — пауза и разбор.
黄金信号的风险管理:TP1 / TP2 / Runner(2025)
更新:2025年10月17日 • 作者:Dani Diemzy
1) TP1/TP2/Runner 框架
- TP1: 快速部分止盈,覆盖风险。
- TP2: 在目标位再减仓。
- Runner: 保留小仓位以捕捉趋势延伸。
2) 仓位:固定分数风险
每笔风险 0.25–1.0%; 手数 ≈(风险金额)÷(每手止损金额)。
3) 分批止盈与保本
| 分配 | TP1 | TP2 | Runner | BE |
|---|---|---|---|---|
| 50/30/20 | +1.0R | +2.0R | trail | 到 TP1 |
| 40/40/20 | +0.8–1.0R | +1.6–2.0R | trail | +0.8R |
| 60/30/10 | +0.7–0.9R | +1.5–1.8R | trail | 高波动时更早 |
4) 按交易时段调节
- 亚洲: 区间窄;TP1 保守。
- 伦敦: 扩张;尽快保本。
- 纽约: 新闻多;更紧的追踪止损。
5) 回撤控制
- 日最大: 1–2R; 周最大: 4–6R。
- 连续 3 笔亏损后暂停复盘。
ゴールド信号のリスク管理:TP1 / TP2 / Runner(2025)
更新日:2025年10月17日 • 著者:Dani Diemzy
1) TP1/TP2/Runner の枠組み
- TP1: 早期の一部利確でリスクを回収。
- TP2: 目標値でさらに手仕舞い。
- Runner: トレンド延長を狙う小ロット。
2) ロット:固定比率リスク
1トレードあたり 0.25–1.0% リスク; ロット ≈(リスク金額)/(1ロットのSL損失)。
3) 部分利確と建値移動
| 配分 | TP1 | TP2 | Runner | BE |
|---|---|---|---|---|
| 50/30/20 | +1.0R | +2.0R | trail | TP1 到達時 |
| 40/40/20 | +0.8–1.0R | +1.6–2.0R | trail | +0.8R |
| 60/30/10 | +0.7–0.9R | +1.5–1.8R | trail | 高ボラで早め |
4) セッション別ボラティリティ
- アジア: 狭い値幅;TP1 保守的。
- ロンドン: 拡大型;建値移動を早く。
- NY: 指標多く荒れやすい;タイトなトレール。
5) ドローダウン管理
- 日上限: 1–2R; 週上限: 4–6R。
- 3連敗で一時停止・見直し。
골드 신호 리스크 관리: TP1 / TP2 / Runner (2025)
업데이트: 2025-10-17 • 작성자: Dani Diemzy
1) TP1/TP2/Runner 프레임워크
- TP1: 빠른 부분 청산으로 리스크 회수.
- TP2: 목표에서 추가 청산.
- Runner: 추세 연장을 노리는 소량 잔여.
2) 사이징: 고정 비율 리스크
트레이드당 0.25–1.0%; 롯 ≈ (위험 금액) ÷ (1롯 SL 손실금).
3) 부분청산 & BE
| 분할 | TP1 | TP2 | Runner | BE |
|---|---|---|---|---|
| 50/30/20 | +1.0R | +2.0R | trail | TP1에서 |
| 40/40/20 | +0.8–1.0R | +1.6–2.0R | trail | +0.8R |
| 60/30/10 | +0.7–0.9R | +1.5–1.8R | trail | 고변동 시 조기 |
4) 세션별 변동성
- 아시아: 좁은 범위; 보수적 TP1.
- 런던: 확장; 빠른 BE.
- 뉴욕: 뉴스 변동; 더 타이트한 트레일.
5) 드로우다운 통제
- 일간: 1–2R; 주간: 4–6R.
- 3연속 손실 시 일시 중지·리뷰.
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